Definizione di Relevant Settlement System

Relevant Settlement System means CREST and/or such other settlement system as may be specified in the relevant Terms in addition to, or in place of, CREST;
Relevant Settlement System meanz CREST, Monte Titoli, or Euroclear France and/or ▇▇▇▇ other zettlement zyztem az may be zpecified in the relevant Final Termz in addition to, or in place of, CREST, Monte Titoli, or Euroclear France; "Replacement Basket" haz the meaning azcribed to it in Condition 24.l; "Replacement Basket Shares" haz the meaning azcribed to it in Condition 24.l; "Replacement Exchange" haz the meaning azcribed to it in Condition 24.l; "Replacement Fund" haz the meaning azcribed to it in Condition 27.2; "Replacement Futures Exchange" haz the meaning azcribed to it in Condition 24.l;
Relevant Settlement System means CREST, Monte Titoli, or Euroclear France and/or such other settlement system as may be specified in the relevant Final Terms in addition to, or in place of, CREST, Monte Titoli, or Euroclear France; "Replacement Basket" has the meaning ascribed to it in Condition 24.1; "Replacement Basket Shares" has the meaning ascribed to it in Condition 24.1; "Replacement Exchange" has the meaning ascribed to it in Condition 24.1; "Replacement Fund" has the meaning ascribed to it in Condition 27.2; "Replacement Futures Exchange" has the meaning ascribed to it in Condition 24.1;

Examples of Relevant Settlement System in a sentence

  • Payment will be made through the Relevant Settlement System and shall be notified to the Holders in accordance with the procedure set out in Condition 14.

  • Where Automatic Exercise applies to Securities pursuant to Condition 3.6 or, as the case may be, Condition 8.4, the relevant Issuer will pay, or will procure payment of the Settlement Amount through the Relevant Settlement System to the relevant Holder in respect of such Securities, less Expenses, if any, payable in connection with such Automatic Exercise, on the Settlement Date.

  • Settlement pursuant to Conditions 4.1 and 4.2.1(c) of the Settlement Amount, after deduction of any Expenses which the relevant Issuer is authorised to deduct, shall be made by the relevant Issuer or the Programme Agent (on its behalf) on the Settlement Date to the Holder's account in the Relevant Settlement System as specified in the Exercise Notice.

  • The Securities will be issued and transferred in uncertificated form through the Relevant Settlement System.

  • Settlement pursuant to Conditions 4.1 and 4.2.1(c) of the Settlement Amount, after deduction of any Expenses which the relevant Issuer is authorised to deduct, shall be made by the relevant Issuer or Relevant Programme Agent (on its behalf) on the Settlement Date to the Holder's or Euroclear France Account Holder's account, as the case may be, in the Relevant Settlement System as specified in the Exercise Notice.

  • Relevant Settlement System: The Programme Agent in respect of the Warrants shall be: Citibank N.A. ▇▇▇▇ ▇▇▇▇▇▇▇▇▇▇, ▇▇ ▇▇▇▇▇ ▇▇▇▇▇ ▇▇▇▇▇.